PORTFOLIO METRICS AS OF 9/30/2020

 

 

$594,631,810

Total Investment
Amount

3.2 years

Weighted Average
Maturity

7.9%

Weighted Average
Gross Portfolio
Yield

68.7%

Senior Secured
Debt

85

Number of
Holdings

96.3%

Floating Rate
Investments

86.7%

Originated Debt

High Tech Industries - 12.3%

Top Sector
Exposure